FTK
NYSE EnergyFlotek Industries, Inc. Common Stock
Oil & Gas Equipment & Services
Flotek Industries, Inc. operates as a chemical and data analytics company in the United States, the United Arab Emirates, and internationally. It operates in two segments, Chemistry Technologies (CT) and Data Analytics (DA). The CT segment offers chemistry solutions, such as proprietary chemistries, specialty chemistries, logistics, and technology services for desired chemical applications program to integrated oil and gas companies, oilfield services companies, independent oil and gas companies, national and state-owned oil companies, geothermal energy companies, solar energy companies, and advanced alternative energy companies. This segment also designs, develops, manufactures, packages, distributes, and markets chemistry solutions designed for existing sustainability practices to reduce the environmental impact of energy on the air, water, land, and people. The DA segment is also involved in the provision of analytical measurement and digital solutions, including measure-and-control services for near real-time insights for process control in the oil and gas value chain, and emerging applications in power and digital valuation; and solutions to optimize performance, improve decision-making, and reduce emissions and carbon intensity; and short and long-term equipment rental. It sells its products directly through in-house sales professionals and contractual agency agreements. Flotek Industries, Inc. was incorporated in 1985 and is headquartered in Houston, Texas.
๐ Market Data
| Price | $16.88 |
|---|---|
| Volume | 120,339 |
| Market Cap | 610.62M |
| Beta | 1.460 |
| RSI (14-Day) | 64.4 |
| 200-Day MA | $15.37 |
| 50-Day MA | $16.54 |
| 52-Week High | $20.41 |
| 52-Week Low | $7.01 |
| P/E Ratio | 20.10 |
| Forward P/E | 18.15 |
| Price / Book | 4.49 |
๐ฏ Investment Strategy Scores
FTK scores across each investment strategy. Higher is better for that strategy's goals.
๐ Strategy Interpretation
Best fit: ๐ Moon Shot (71/100) โ this strategy High growth potential (high beta + oversold).
Lowest fit among scored strategies: ๐ฐ Dividend Daddy (14/100). No single score is a buy or sell signal โ use multiple lenses together. Learn how to read these scores โ
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Data last updated: 2026-05-01.